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Consolidated Statements of Changes in Equity - USD ($)
$ in Thousands
Share and Paid-in Capital [Member]
Translation Reserve [Member]
Reserve for Cash Flow Hedges [Member]
Reserve for Defined Benefit Plans [Member]
Reserve for Gains and Losses on measuring Financial Asset at Fair Value of Other Comprehensive Income [Member]
Other Comprehensive Income [Member]
Other Miscellaneous Reserves [Member]
Total Other Reserves [Member]
Retained Earnings [Member]
Equity attributable to owners of the parent to Shareholders of Enel Chile [Member]
Non-controlling Interests [Member]
Total
Opening balance at Dec. 31, 2022 $ 5,964,284 $ (591,742) $ (459,844)   $ 4 $ (1,051,582) $ (3,423,044) $ (4,474,626) $ 3,319,546 $ 4,809,203 $ 342,436 $ 5,151,639
Comprehensive income                        
Profit (loss)                 754,195 754,195 55,432 809,627
Other comprehensive income (loss)   (104,393) (156,405) $ (1)   (260,799) 16 (260,783)   (260,783) (14,505) (275,288)
TOTAL COMPREHENSIVE INCOME                   493,412 40,927 534,339
Dividends                 (218,134) (218,134) (24,988) (243,122)
Increase (decrease) from other changes   (23,818)   1   (23,817) 8,289 (15,528) (1) (15,529) 534 (14,995)
Total changes in equity   (128,211) (156,405)     (284,616) 8,305 (276,311) 536,060 259,750 16,473 276,223
Closing balance at Dec. 31, 2023 5,964,284 (719,953) (616,249)   4 (1,336,198) (3,414,739) (4,750,937) 3,855,606 5,068,953 358,909 5,427,862 [1]
Comprehensive income                        
Profit (loss)                 153,763 153,763 48,669 202,432
Other comprehensive income (loss)   (476,513) 454,837 (2,344)   (24,020)   (24,020)   (24,020) (8,321) (32,341)
TOTAL COMPREHENSIVE INCOME                   129,743 40,348 170,091
Dividends                 (225,506) (225,506) (36,639) (262,145)
Increase (decrease) from other changes       2,344   2,344 3,226 5,570 (2,344) 3,226 6,268 9,494
Total changes in equity   (476,513) 454,837     (21,675) 3,226 (18,450) (74,087) (92,537) 9,977 (82,560)
Closing balance at Dec. 31, 2024 5,964,284 (1,196,466) (161,411)   4 (1,357,873) (3,411,514) (4,769,387) 3,781,518 4,976,415 368,887 5,345,302 [1]
Increase (decrease) due changes in accounting policies (2,068,389) 1,651,564 166,141   (2) 1,817,703 1,150,658 2,968,361 (899,972)      
Equity at beginning of period as restated 3,895,895 455,098 4,730   2 459,830 (2,260,856) (1,801,026) 2,881,546 4,976,415 368,887 5,345,302
Comprehensive income                        
Profit (loss)                 537,629 537,629 47,270 584,899
Other comprehensive income (loss)   75,223 (7,145) (262)   67,816   67,816   67,816 642 68,458
TOTAL COMPREHENSIVE INCOME                   605,445 47,912 653,357
Dividends                 (407,766) (407,766) (43,284) (451,050)
Increase (decrease) from other changes       $ 262   262 1,775 2,037 (262) 1,775 123 1,898
Total changes in equity   75,223 (7,145)     68,078 1,775 69,853 129,601 199,454 4,751 204,205
Closing balance at Dec. 31, 2025 $ 3,895,895 $ 530,321 $ (2,415)   $ 2 $ 527,908 $ (2,259,081) $ (1,731,173) $ 3,011,147 $ 5,175,869 $ 373,638 $ 5,549,507
[1] See Note 3.